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Leases (Tables)
12 Months Ended
Jun. 30, 2025
Leases  
Schedule of right of use assets

    

    

    

Plant, 

    

    

 

equipment 

Mineral 

 

Land

Buildings

and vehicles

assets

Total

 

for the year ended 30 June

 

Rm

 

Rm

 

Rm

 

Rm

 

Rm

Right of use assets

 

  

 

  

 

  

 

  

 

  

Carrying amount at 30 June 2023

 

127

 

4 712

 

6 845

 

1

 

11 685

Cost

333

8 264

13 174

4

21 775

Accumulated depreciation and impairment

(206)

(3 552)

(6 329)

(3)

(10 090)

Additions

 

11

 

1 274

 

1 559

 

 

2 844

Modifications and reassessments

 

(6)

 

(13)

 

882

 

 

863

Translation of foreign operations

 

(5)

 

(45)

 

(191)

 

 

(241)

Terminations

 

 

(99)

 

(57)

 

 

(156)

Current year depreciation charge

 

(10)

 

(627)

 

(1 840)

 

(1)

 

(2 478)

Impairment of right of use assets (note 8)

 

 

(101)

 

(65)

 

 

(166)

Carrying amount at 30 June 2024

 

117

 

5 101

 

7 133

 

 

12 351

Cost

 

326

 

8 919

 

14 647

 

 

23 892

Accumulated depreciation and impairment

 

(209)

 

(3 818)

 

(7 514)

 

 

(11 541)

Additions

 

13

 

868

 

1 072

 

 

1 953

Modifications and reassessments

 

 

35

 

654

 

 

689

Reclassification to assets

(129)

(129)

Translation of foreign operations

 

7

 

28

 

(25)

 

 

10

Terminations

 

(17)

 

(5)

 

(132)

 

 

(154)

Current year depreciation charge

 

(8)

 

(553)

 

(1 942)

 

 

(2 503)

Net impairment of right of use assets (note 8)

 

142

 

(352)

 

(173)

 

 

(383)

Carrying amount at 30 June 2025

254

5 122

6 458

11 834

Cost

305

9 840

14 740

24 885

Accumulated depreciation and impairment

(51)

(4 718)

(8 282)

(13 051)

Schedule of lease liabilities

    

    

2025

    

2024

for the year ended 30 June

    

Note

    

Rm

    

Rm

Lease liabilities

 

  

 

  

 

  

Total long-term lease liabilities

 

  

 

15 177

 

15 173

Short-term portion (included in short-term debt)

 

15

 

2 183

 

2 264

 

17 360

 

17 437

Reconciliation

 

  

 

  

 

  

Balance at beginning of year

 

  

 

17 437

 

16 297

New lease contracts

1 928

2 884

Payments made on lease liabilities

(3 077)

(2 698)

Modifications and reassessments

685

865

Interest accrued

530

520

Termination of lease liability

(168)

(155)

Translation of foreign operations

 

25

 

(276)

Balance at end of year

 

  

 

17 360

 

17 437

Schedule of amounts recognised in income statement and cash flow

2025

2024

2023

for the year ended 30 June

    

Rm

    

Rm

    

Rm

Amounts recognised in income statement

 

  

 

  

 

  

Interest expense (included in net finance cost)

1 669

 

1 557

 

1 451

Expense relating to short-term leases*

 

634

 

626

 

596

Expense relating to leases of low-value assets that are not shown above as short-term leases*

 

73

 

82

 

87

Expense relating to variable lease payments not included in lease liabilities (included in other operating expenses and income)*

 

55

 

56

 

49

Amounts recognised in statement of cash flows

 

 

 

  

Total cash outflow on leases

 

4 978

 

4 499

 

4 159

*

Included in cash paid to suppliers and employees in the statement of cash flows.

Schedule of incremental borrowing rates

Southern Africa

    

9,00 – 14,83% (2024: 11,09 – 15,59%)

North America

 

6,37 – 7,34% (2024: 7,86 – 9,22%)

Eurasia

 

2,46 – 7,78% (2024: 3,35 – 14,89%)